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Investment Securities (Tables)
6 Months Ended
Jun. 30, 2015
Investment Securities [Abstract]  
Schedule of Cost Basis and Fair Values of Investment Securities


 

Investment securities available for sale (AFS):

 

June 30, 2015
Gross     Gross        
Cost Unrealized     Unrealized     Fair  
Basis Gains     Losses     Value  
US Agency   $ 5,933     $ 22     $ (19 )   $ 5,936  
US Agency mortgage- backed  securities     97,265       2,708       (363 )     99,610  
Corporate bonds     17,504       28       (210 )     17,322  
   Total   $ 120,702     $ 2,758     $ (592 )   $ 122,868  

 

Investment securities held to maturity (HTM):

 

June 30, 2015
Gross     Gross        
Cost Unrealized     Unrealized     Fair  
Basis Gains     Losses     Value  
US Agency mortgage- backed securities   $ 11,680     $ 304     $ (73 )   $ 11,911  
Taxable municipal     3,905       70       (52 )     3,923  
Corporate bonds and other securities     3,995       -       (53 )     3,942  
   Total   $ 19,580     $ 374     $ (178 )   $ 19,776  

 

Investment securities available for sale (AFS):

 

December 31, 2014
Gross     Gross        
Cost Unrealized     Unrealized     Fair  
Basis Gains     Losses     Value  
US Agency   $ 5,931     $ 21     $ (46 )   $ 5,906  
US Agency mortgage- backed  securities     102,888       3,197       (317 )     105,768  
Corporate bonds     15,497       61       (122 )     15,436  
   Total   $ 124,316     $ 3,279     $ (485 )   $ 127,110  

 

Investment securities held to maturity (HTM):

 

December 31, 2014
Gross     Gross        
Cost Unrealized     Unrealized     Fair  
Basis Gains     Losses     Value  
US Agency mortgage- backed securities   $ 12,481     $ 395     $ (50 )   $ 12,826  
Taxable municipal     3,364       74       (24 )     3,414  
Corporate bonds and other securities     3,995       6       (28 )     3,973  
   Total   $ 19,840     $ 475     $ (102 )   $ 20,213  

 

Schedule of Information Concerning Investments with Unrealized Losses


 

Total investment securities:

 

June 30, 2015
Less than 12 months 12 months or longer     Total  
Fair Unrealized     Fair     Unrealized     Fair     Unrealized  
Value Losses     Value     Losses     Value     Losses  
US Agency   $ -     $ -     $ 2,881     $ (19 )   $ 2,881     $ (19 )
Taxable municipal     2,644        (52 )     -        -        2,644        (52
US Agency mortgage-backed securities     16,974       (118 )     12,400       (318 )     29,374       (436 )
Corporate bonds and other   securities     6,862       (133 )     8,867       (130 )     15,729       (263 )
   Total   $ 26,480     $ (303 )   $ 24,148     $ (467 )   $ 50,628     $ (770 )


Total investment securities:

 

December 31, 2014
Less than 12 months 12 months or longer     Total  
Fair Unrealized     Fair     Unrealized     Fair     Unrealized  
Value Losses     Value     Losses     Value     Losses  
US Agency   $ 996     $ (4 )   $ 2,858     $ (42 )   $ 3,854     $ (46 )
US Agency mortgage- backed securities     2,826       (13 )     20,408       (354 )     23,234       (367 )
Taxable municipal     150       (1 )     988       (23 )     1,138       (24 )
Corporate bonds and other  securities     2,960       (43 )     8,891       (107 )     11,851       (150 )
   Total   $ 6,932     $ (61 )   $ 33,145     $ (526 )   $ 40,077     $ (587 )

 

Schedule of Contractual Maturities of Securities


 

Total investment securities:  

 

June 30, 2015
Available for sale Held to maturity  
Cost Basis Fair Value     Cost Basis     Fair Value  
               
Within 1 year   $ 2,000     $ 2,007     $ 999     $ 1,000  
After 1 year but within 5 years     14,302       14,331       2,000       1,967  
After 5 years but within 10 years     20,743       21,008       4,782       4,749  
After 10 years but within15 years     50,945       51,947       560       546  
Over 15 years     32,712       33,575       11,239       11,514  
Total   $ 120,702     $ 122,868     $ 19,580     $ 19,776